财务指标

注:公司进行财务结算的执行年度,由连续12个历月构成,许多公司的财务年度与实际的日历年度不一致。
显示全部数据 单位:
2024年年结日:12-31
导出数据
科目\年度
--
--

{"title":["\u65f6\u95f4\\\u79d1\u76ee",["\u57fa\u672c\u6bcf\u80a1\u6536\u76ca ","\u7f8e\u5143",""],["\u6bcf\u80a1\u51c0\u8d44\u4ea7","\u7f8e\u5143",""],["\u6bcf\u80a1\u8d44\u672c\u516c\u79ef","\u7f8e\u5143",""],["\u6bcf\u80a1\u51c0\u8d44\u4ea7","%",""],["\u8d44\u4ea7\u603b\u8ba1","%",""],["\u5f52\u5c5e\u6bcd\u516c\u53f8\u7684\u80a1\u4e1c\u6743\u76ca","%",""],["\u4ea7\u6743\u6bd4\u7387","%",""],["\u5f52\u5c5e\u6bcd\u516c\u53f8\u80a1\u4e1c\u7684\u6743\u76ca\/\u8d1f\u503a\u5408\u8ba1","%",""]],"report":[["2025-06-30
2025\u5e74\u4e2d\u62a5","2024-12-31
2024\u5e74\u5e74\u62a5","2024-06-30
2024\u5e74\u4e2d\u62a5","2023-12-31
2023\u5e74\u5e74\u62a5","2023-06-30
2023\u5e74\u4e2d\u62a5","2022-12-31
2022\u5e74\u5e74\u62a5","2022-06-30
2022\u5e74\u4e2d\u62a5","2021-12-31
2021\u5e74\u5e74\u62a5","2021-06-30
2021\u5e74\u4e2d\u62a5","2020-12-31
2020\u5e74\u5e74\u62a5","2020-06-30
2020\u5e74\u4e2d\u62a5","2019-12-31
2019\u5e74\u5e74\u62a5","2019-06-30
2019\u5e74\u4e2d\u62a5","2018-12-31
2018\u5e74\u5e74\u62a5","2018-06-30
2018\u5e74\u4e2d\u62a5","2017-12-31
2017\u5e74\u5e74\u62a5"],["0.13","2.92","1.75","2.35","1.75","-2.71","-2.69","2.72","1.80","1.15","-0.86","2.54","","","",""],["14.49","14.95","14.25","14.19","14.20","12.16","12.75","16.20","16.55","14.48","13.13","15.43","","","",""],["3.32","3.32","3.65","3.92","4.51","3.78","4.57","4.22","4.97","3.92","5.08","4.86","","","",""],["-3.09","5.36","0.44","16.70","16.78","-24.93","-21.29","11.86","14.28","-6.14","-14.90","","","","",""],["-1.43","11.74","7.44","18.00","17.95","-22.72","-18.99","27.26","15.78","4.41","-5.77","23.70","13.36","1.84","4.61",""],["-3.09","13.20","7.91","16.70","16.78","-22.03","-18.25","27.68","15.46","4.67","-5.94","22.05","11.78","1.56","4.67",""],["0.02","0.0066","0.02","0.02","0.02","0.0085","0.0082","0.02","0.02","0.02","0.03","0.02","0.02","0.0097","0.0064","0.0069"],["41.90","150.99","65.17","50.56","53.51","117.19","121.44","57.18","42.17","47.90","39.54","42.78","41.84","103.59","157.12","144.82"]]}

{"title":["\u65f6\u95f4\\\u79d1\u76ee",["\u62a5\u8868\u6838\u5fc3\u6307\u6807","","TN"],["*\u51c0\u5229\u6da6","\u7f8e\u5143",""],["*\u603b\u6536\u5165","\u7f8e\u5143",""],["*\u5f52\u5c5e\u4e8e\u6bcd\u516c\u53f8\u80a1\u4e1c\u7684\u51c0\u5229\u6da6","\u7f8e\u5143",""],["\u62a5\u8868\u5168\u90e8\u6307\u6807","","TN"],["\u603b\u6536\u5165","\u7f8e\u5143",""],["\u5176\u4ed6\u8d39\u7528","\u7f8e\u5143",""],["\u8d39\u7528\u5408\u8ba1","\u7f8e\u5143",""],["\u8425\u4e1a\u5229\u6da6","\u7f8e\u5143",""],["\u6301\u7eed\u7ecf\u8425\u4e1a\u52a1\u7684\u7a0e\u524d\u5229\u6da6","\u7f8e\u5143",""],["\u6301\u7eed\u7ecf\u8425\u4e1a\u52a1\u5229\u6da6 ","\u7f8e\u5143",""],["\u5176\u4ed6\u5f71\u54cd\u51c0\u5229\u6da6\u7684\u635f\u76ca","\u7f8e\u5143",""],["\u51c0\u5229\u6da6","\u7f8e\u5143",""],["\u5f52\u5c5e\u4e8e\u6bcd\u516c\u53f8\u80a1\u4e1c\u7684\u51c0\u5229\u6da6","\u7f8e\u5143",""],["\u57fa\u672c\u6bcf\u80a1\u6536\u76ca","\u7f8e\u5143",""]],"report":[["2025-06-30
2025\u5e74\u4e2d\u62a5","2024-12-31
2024\u5e74\u5e74\u62a5","2024-06-30
2024\u5e74\u4e2d\u62a5","2023-12-31
2023\u5e74\u5e74\u62a5","2023-06-30
2023\u5e74\u4e2d\u62a5","2022-12-31
2022\u5e74\u5e74\u62a5","2022-06-30
2022\u5e74\u4e2d\u62a5","2021-12-31
2021\u5e74\u5e74\u62a5","2021-06-30
2021\u5e74\u4e2d\u62a5","2020-12-31
2020\u5e74\u5e74\u62a5","2020-06-30
2020\u5e74\u4e2d\u62a5","2019-12-31
2019\u5e74\u5e74\u62a5","2019-06-30
2019\u5e74\u4e2d\u62a5","2018-12-31
2018\u5e74\u5e74\u62a5","2018-06-30
2018\u5e74\u4e2d\u62a5","2017-12-31
2017\u5e74\u5e74\u62a5"],["","","","","","","","","","","","","","","",""],["15613680.00","341085964.00","189987528.00","255068194.00","189639664.00","-294508945.00","-292459568.00","284544317.00","166840183.00","105732861.00","-78181417.00","208855192.00","111314730.00","-34146843.00","37589889.00","147549529.00"],["10280927.00","20909412.00","10404229.00","21040279.00","10504454.00","21502064.00","10369746.00","17609728.00","8493730.00","20063617.00","9807466.00","19374683.00","9466541.00","17238571.00","8153053.00","16138573.00"],["15613680.00","341085964.00","189987528.00","255068194.00","189639664.00","-294508945.00","-292459568.00","284544317.00","166840183.00","105732861.00","-78181417.00","208855192.00","111314730.00","-34146843.00","37589889.00","147549529.00"],["","","","","","","","","","","","","","","",""],["10280927.00","20909412.00","10404229.00","21040279.00","10504454.00","21502064.00","10369746.00","17609728.00","8493730.00","20063617.00","9807466.00","19374683.00","9466541.00","17238571.00","8153053.00","16138573.00"],["8908585.00","17810583.00","8622905.00","16019271.00","7658690.00","15787832.00","8201038.00","16335883.00","7616875.00","13292439.00","6458755.00","12560577.00","6037185.00","11694557.00","5596588.00","10312177.00"],["8908585.00","17810583.00","8622905.00","16019271.00","7658690.00","15787832.00","8201038.00","16335883.00","7616875.00","13292439.00","6458755.00","12560577.00","6037185.00","11694557.00","5596588.00","10312177.00"],["1372342.00","3098829.00","1781324.00","5021008.00","2845764.00","5714232.00","2168708.00","1273845.00","876855.00","6771178.00","3348711.00","6814106.00","3429356.00","5544014.00","2556465.00","5826396.00"],["1372342.00","3098829.00","1781324.00","5021008.00","2845764.00","5714232.00","2168708.00","1273845.00","876855.00","6771178.00","3348711.00","6814106.00","3429356.00","5544014.00","2556465.00","5826396.00"],["1372342.00","3098829.00","1781324.00","5021008.00","2845764.00","5714232.00","2168708.00","1273845.00","876855.00","6771178.00","3348711.00","6814106.00","3429356.00","5544014.00","2556465.00","5826396.00"],["14241338.00","337987135.00","188206204.00","250047186.00","186793900.00","-300223177.00","-294628276.00","283270472.00","165963328.00","98961683.00","-81530128.00","202041086.00","107885374.00","-39690857.00","35033424.00","141723133.00"],["15613680.00","341085964.00","189987528.00","255068194.00","189639664.00","-294508945.00","-292459568.00","284544317.00","166840183.00","105732861.00","-78181417.00","208855192.00","111314730.00","-34146843.00","37589889.00","147549529.00"],["15613680.00","341085964.00","189987528.00","255068194.00","189639664.00","-294508945.00","-292459568.00","284544317.00","166840183.00","105732861.00","-78181417.00","208855192.00","111314730.00","-34146843.00","37589889.00","147549529.00"],["0.13","2.92","1.75","2.35","1.75","-2.71","-2.69","2.72","1.80","1.15","-0.86","2.54","","","",""]]}

{"title":["\u65f6\u95f4\\\u79d1\u76ee",["\u62a5\u8868\u6838\u5fc3\u6307\u6807","","TN"],["*\u80a1\u4e1c\u6743\u76ca\u5408\u8ba1","\u7f8e\u5143",""],["*\u8d44\u4ea7\u5408\u8ba1","\u7f8e\u5143",""],["*\u8d1f\u503a\u5408\u8ba1","\u7f8e\u5143",""],["*\u5f52\u5c5e\u4e8e\u6bcd\u516c\u53f8\u80a1\u4e1c\u6743\u76ca\u5408\u8ba1","\u7f8e\u5143",""],["\u62a5\u8868\u5168\u90e8\u6307\u6807","","TN"],["\u73b0\u91d1\u548c\u73b0\u91d1\u7b49\u4ef7\u7269","\u7f8e\u5143",""],["\u603b\u6295\u8d44","\u7f8e\u5143",""],["\u5e94\u6536\u6b3e\u9879 ","\u7f8e\u5143",""],["\u5176\u4ed6\u8d44\u4ea7(\u8d44\u4ea7\u7279\u6b8a\u9879\u76ee)","\u7f8e\u5143",""],["\u603b\u73b0\u91d1","\u7f8e\u5143",""],["\u8d27\u5e01\u8d44\u91d1","\u7f8e\u5143",""],["\u8d44\u4ea7\u5408\u8ba1 ","\u7f8e\u5143",""],["\u5e94\u4ed8\u6b3e\u9879 ","\u7f8e\u5143",""],["\u5176\u4ed6\u8d1f\u503a(\u8d1f\u503a\u7279\u6b8a\u9879\u76ee)","\u7f8e\u5143",""],["\u8d1f\u503a\u5408\u8ba1 ","\u7f8e\u5143",""],["\u666e\u901a\u80a1 ","\u7f8e\u5143",""],["\u8d44\u672c\u516c\u79ef","\u7f8e\u5143",""],["\u7559\u5b58\u6536\u76ca ","\u7f8e\u5143",""],["\u5f52\u5c5e\u4e8e\u6bcd\u516c\u53f8\u80a1\u4e1c\u6743\u76ca\u5408\u8ba1 ","\u7f8e\u5143",""],["\u80a1\u4e1c\u6743\u76ca\u5408\u8ba1","\u7f8e\u5143",""]],"report":[["2025-06-30
2025\u5e74\u4e2d\u62a5","2024-12-31
2024\u5e74\u5e74\u62a5","2024-06-30
2024\u5e74\u4e2d\u62a5","2023-12-31
2023\u5e74\u5e74\u62a5","2023-06-30
2023\u5e74\u4e2d\u62a5","2022-12-31
2022\u5e74\u5e74\u62a5","2022-06-30
2022\u5e74\u4e2d\u62a5","2021-12-31
2021\u5e74\u5e74\u62a5","2021-06-30
2021\u5e74\u4e2d\u62a5","2020-12-31
2020\u5e74\u5e74\u62a5","2020-06-30
2020\u5e74\u4e2d\u62a5","2019-12-31
2019\u5e74\u5e74\u62a5","2019-06-30
2019\u5e74\u4e2d\u62a5","2018-12-31
2018\u5e74\u5e74\u62a5","2018-06-30
2018\u5e74\u4e2d\u62a5","2017-12-31
2017\u5e74\u5e74\u62a5"],["","","","","","","","","","","","","","","",""],["1691644381.00","1745593073.00","1664057009.00","1542090692.00","1543142214.00","1321452108.00","1385507737.00","1694816733.00","1532564273.00","1327347563.00","1192778367.00","1268145957.00","1161481424.00","1039071032.00","1070812624.00","1023066274.00"],["1732015157.00","1757153713.00","1689589663.00","1572588067.00","1571981887.00","1332728223.00","1396917082.00","1724459202.00","1568909204.00","1355059821.00","1222941928.00","1297788049.00","1189244086.00","1049101384.00","1077627739.00","1030130780.00"],["40370776.00","11560640.00","25532654.00","30497375.00","28839673.00","11276115.00","11409345.00","29642469.00","36344931.00","27712258.00","30163561.00","29642092.00","27762662.00","10030352.00","6815115.00","7064506.00"],["1691644381.00","1745593073.00","1664057009.00","1542090692.00","1543142214.00","1321452108.00","1385507737.00","1694816733.00","1532564273.00","1327347563.00","1192778367.00","1268145957.00","1161481424.00","1039071032.00","1070812624.00","1023066274.00"],["","","","","","","","","","","","","","","",""],["","24809.00","","22376.00","22376.00","","20073.00","5352204.00","4992566.00","2858445.00","4074138.00","4292603.00","3857915.00","5520980.00","4048586.00","1724249.00"],["1726603759.00","1754586792.00","1682794969.00","1570004924.00","1570068407.00","1328423755.00","1394858627.00","1715337279.00","1558993612.00","1348961695.00","1217536304.00","1287972245.00","1183049852.00","1041532302.00","1070077104.00","1026202561.00"],["5226947.00","2358666.00","6619217.00","2410525.00","1891104.00","4304468.00","2038382.00","3769719.00","4923026.00","3239681.00","1331486.00","5523201.00","2336319.00","2048102.00","3502049.00","2203970.00"],["184451.00","183446.00","175477.00","150242.00","","","","","","","","","","","",""],["","24809.00","","22376.00","22376.00","","20073.00","5352204.00","4992566.00","2858445.00","4074138.00","4292603.00","3857915.00","5520980.00","4048586.00","1724249.00"],["","24809.00","","22376.00","22376.00","","20073.00","5352204.00","4992566.00","2858445.00","4074138.00","4292603.00","3857915.00","5520980.00","4048586.00","1724249.00"],["1732015157.00","1757153713.00","1689589663.00","1572588067.00","1571981887.00","1332728223.00","1396917082.00","1724459202.00","1568909204.00","1355059821.00","1222941928.00","1297788049.00","1189244086.00","1049101384.00","1077627739.00","1030130780.00"],["6546777.00","6501486.00","7626439.00","6431789.00","3413807.00","1805659.00","1185574.00","4124557.00","5878970.00","1125481.00","986168.00","3267898.00","2781665.00","1162614.00","2752252.00","1170306.00"],["33823999.00","5059154.00","17906215.00","24065586.00","25425866.00","9470456.00","10223771.00","25517912.00","30465961.00","26586777.00","29177393.00","26374194.00","","8867738.00","4062863.00","5894200.00"],["40370776.00","11560640.00","25532654.00","30497375.00","28839673.00","11276115.00","11409345.00","29642469.00","36344931.00","27712258.00","30163561.00","29642092.00","27762662.00","10030352.00","6815115.00","7064506.00"],["1167546.00","1167546.00","1167546.00","1167546.00","1167546.00","1091922.00","1086687.00","1050771.00","981823.00","916621.00","908555.00","866173.00","821988.00","777619.00","719097.00","681600.00"],["387191108.00","387191108.00","425852684.00","425852684.00","490274332.00","411153043.00","496173590.00","441684860.00","460451747.00","359173591.00","461762200.00","399073285.00","436490778.00","372182066.00","344560571.00","288058954.00"],["1303285727.00","1357234419.00","1237036779.00","1115070462.00","1051700336.00","909207143.00","888247460.00","1252081102.00","1071130703.00","967257351.00","730107612.00","868206499.00","724168658.00","666111347.00","-58230630.00","-12223737.00"],["1691644381.00","1745593073.00","1664057009.00","1542090692.00","1543142214.00","1321452108.00","1385507737.00","1694816733.00","1532564273.00","1327347563.00","1192778367.00","1268145957.00","1161481424.00","1039071032.00","1070812624.00","1023066274.00"],["1691644381.00","1745593073.00","1664057009.00","1542090692.00","1543142214.00","1321452108.00","1385507737.00","1694816733.00","1532564273.00","1327347563.00","1192778367.00","1268145957.00","1161481424.00","1039071032.00","1070812624.00","1023066274.00"]]}

{"title":["\u65f6\u95f4\\\u79d1\u76ee"],"report":[["2025-06-30
2025\u5e74\u4e2d\u62a5","2024-12-31
2024\u5e74\u5e74\u62a5","2024-06-30
2024\u5e74\u4e2d\u62a5","2023-12-31
2023\u5e74\u5e74\u62a5","2023-06-30
2023\u5e74\u4e2d\u62a5","2022-12-31
2022\u5e74\u5e74\u62a5","2022-06-30
2022\u5e74\u4e2d\u62a5","2021-12-31
2021\u5e74\u5e74\u62a5","2021-06-30
2021\u5e74\u4e2d\u62a5","2020-12-31
2020\u5e74\u5e74\u62a5","2020-06-30
2020\u5e74\u4e2d\u62a5","2019-12-31
2019\u5e74\u5e74\u62a5","2019-06-30
2019\u5e74\u4e2d\u62a5","2018-12-31
2018\u5e74\u5e74\u62a5","2018-06-30
2018\u5e74\u4e2d\u62a5","2017-12-31
2017\u5e74\u5e74\u62a5"]]}